Payments Business Manager - Liquidity/Treasury - Vice President
Join a globally connected team at the center of deposit strategy and oversight.
You'll partner with senior leaders and regional stakeholders to translate performance, risks, and priorities into clear actions-helping shape outcomes across a dynamic, highly regulated business.
As a Business Manager, Vice President in Liquidity & Account Solutions (L&AS) Business Management, you will support the Global Head of Deposit Strategy & Oversight by driving performance management, strategic execution, governance routines, and senior decision support.
You will work closely with regional Business Managers across EMEA, APAC, and Latin America and partner across Product, Finance, Risk/Compliance, and Operations.
You'll be part of Finance & Business Management (F&BM), helping teams make informed decisions through strong analysis, disciplined execution, and effective risk management.
Job Responsibilities
* Lead the Deposit Strategy & Oversight business management agenda, including performance management, priority-setting, and leadership decision support
* Act as a subject matter expert on daily deposit movements, providing clear interpretation of balance drivers, client behaviours, portfolio trends, and implications for business performance
* Partner closely with the Portfolio Management team to analyse the deposit portfolio, identify material movements or emerging trends, and translate insights into actionable recommendations for senior stakeholders
* Own management reporting and executive narratives by creating high-quality materials for leadership forums and translating complex data into clear insights and actions
* Drive cross-functional initiatives across Product, regional teams (EMEA/APAC/LATAM), Finance, Risk/Compliance, Operations, and other partners to ensure alignment and timely delivery
* Establish operating cadence and governance routines, including objectives and key results (OKRs), initiative tracking, and progress updates against defined outcomes
* Define targets and performance metrics and monitor progress to surface risks, trade-offs, and opportunities early
* Partner with Finance and functional stakeholders on forecasting inputs, expense discipline, and resource prioritization aligned to business strategy
* Bridge Finance and Business Management by combining financial analysis, commercial judgement, and operating discipline to support deposit strategy, forecasting, and portfolio decision-making
* Deliver rapid-response executive support for ad-hoc requests, structured problem solving, and high-stakes deliverables for senior audiences
* Coordinate oversight, risk, and controls deliverables related to deposit strategy and governance, including audit, regulatory, and compliance documentation requests
* Enable consistent stakeholder communication by aligning leaders and regional partners on priorities, progress, and decisions
Required Qualifications, Capabilities, and Skills
* Si...
- Rate: Not Specified
- Location: Jersey City, US-NJ
- Type: Permanent
- Industry: Finance
- Recruiter: JPMorgan Chase Bank, N.A.
- Contact: Not Specified
- Email: to view click here
- Reference: 210751312
- Posted: 2026-09-01 11:12:56 -
- View all Jobs from JPMorgan Chase Bank, N.A.
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